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基金业绩

基金费率

投资组合

基金概况

财务数据

万家瑞益A(001635)

2024-12-10     1.57540.1526%
资产配置
单位:万元
报告期 基金净值 股票 国债及现金 可转债 企业债 金融债 其他债券 其他投资 贷方余额
2024-09-3024,504.614,799.691,274.070.0020,448.722,050.330.00270.580.00
2024-06-3025,074.416,853.411,060.66481.9545,104.742,051.430.0096.670.00
2024-03-3126,228.427,858.341,165.89389.7544,861.663,076.340.001,152.670.00
2023-12-3127,918.855,310.621,209.751,023.3244,877.113,054.940.00210.900.00
2023-09-3030,217.325,031.74576.130.0092,182.153,050.680.0061.900.00
2023-06-3033,087.856,601.70852.870.00107,379.133,074.150.0019.610.00
2023-03-3135,094.526,943.751,608.7183.6660,832.456,104.770.0027.490.00
2022-12-3141,341.818,194.742,041.46607.5171,970.796,075.250.0039.370.00
2022-09-3049,666.939,786.75551.92217.8379,240.8410,169.650.00100.520.00
2022-06-3060,332.262,054.831,695.512,674.72157,468.6913,406.230.004,612.830.00
2022-03-3170,208.6516,783.435,544.591,890.47277,970.0011,360.320.0053.790.00
2021-12-3186,945.2816,334.421,204.35399.77296,132.1024,317.000.001,244.820.00
2021-09-3085,047.7313,141.931,626.974,013.58311,978.2019,215.200.001,532.270.00
2021-06-30100,593.0814,700.551,776.506,840.69370,081.309,223.140.001,600.200.00
2021-03-3190,062.7514,682.481,288.906,088.03248,720.6010,988.000.001,223.060.00
2020-12-3170,974.2517,358.48800.476,275.70178,259.357,983.000.00810.140.00
2020-09-3062,404.2213,784.601,789.331,241.1280,082.795,954.100.00991.240.00
2020-06-3031,415.9311,336.47580.61241.7858,349.722,503.750.002,448.430.00
2020-03-3133,765.1911,135.11629.820.0068,640.662,518.750.00552.840.00
2019-12-3145,296.9315,000.07902.410.0068,398.413,425.500.00598.120.00
2019-09-3044,676.0513,649.332,449.330.0060,378.823,440.800.00358.340.00
2019-06-3042,064.9214,255.55918.050.0033,595.937,545.450.00359.200.00
2019-03-3149,742.1915,538.00395.750.0063,596.575,734.360.00987.600.00
2018-12-3146,987.0515,028.19282.250.0065,797.363,823.320.00521.910.00
2018-09-3053,887.5414,540.76387.220.0065,633.326,059.400.00306.180.00